Investment Products

We currently offer two investment products that are suitable for both institutional and individual investors. Investors can choose to hold their portfolios on a segregated basis or by holding units of our pooled funds.

Both strategies employ the same investment philosophy, proprietary research process and portfolio construction methodology – our process is fully transferable across geographical regions.

Each portfolio will usually hold between 20-30 securities that are well-diversified across industry and business thesis.

The Galibier Canadian Equity Pool and the Galibier Global Equity Pool are valued daily by an independent third party and all of the pools’ assets are held at a large Canadian custodian.

Galibier Canadian Equity Pool:

Top 10 Holdings

(December 31/2018)

% weight

1. Cargojet Inc.

6.4%

2. Intertape Polymer Group Inc.

4.7%

3. NFI Group Inc.

4.6%

4. CIBC

4.6%

5. Ag Growth International Inc.

4.6%

6. Spin Master Corp.

4.5%

7. Premium Brands Holdings Corp.

4.4%

8. CCL Industries Inc.

4.3%

9. Metro Inc.

4.1%

10. iA Financial Corp.

4.0%

Total

46.2%

This long-only mandate invests predominantly in Canadian equity securities that trade on the Toronto Stock Exchange. The portfolio can hold stocks of all capitalizations with most of the securities held exceeding $500 million in market capitalization. The investment objective is to achieve long-term capital appreciation through investments primarily in Canadian equity securities.

Galibier Global Equity Pool:

Top 10 Holdings

(December 31/2018)

% weight

1. LVMH Moet Hennessy Louis Vuitton SE ADR

5.4%

2. WABCO Holdings Inc.

4.8%

3. ING Groep NV ADR

4.8%

4. Anheuser-Busch Inbev NV ADR

4.7%

5. Koninklijke Philips NV ADR

4.6%

6. Ryanair Holding PLC ADR

4.5%

7. Heidelberg Cement AG

4.5%

8. Colgate Palmolive Co.

4.5%

9. Biogen Inc.

4.3%

10. American International Group

4.3%

Total

46.4%

This long-only mandate invests predominantly in worldwide equity securities that trade on recognized exchanges. The portfolio can hold stocks of all capitalizations with most of the securities held exceeding $10 billion in market capitalization. The investment objective is to achieve long-term capital appreciation through investments primarily in equity securities of companies located around the world.